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Study on M&A Process’s Financial Risk Early Warning

Author: WangBoWen
Tutor: LinLiPing
School: Guangxi University of Technology
Course: Business management
Keywords: M \u0026 A Financial risk Financial risk early warning system Factor Analysis Efficiency coefficient method
CLC: F275
Type: Master's thesis
Year: 2011
Downloads: 413
Quote: 0
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Abstract


Since the 1990s, with the information technology and economic globalization continues to accelerate, mergers and acquisitions gradual replacement of the creation of enterprises, become the dominant way of direct investment. Due to the impact of the U.S. subprime mortgage crisis in 2008, the global M \u0026 A market is not optimistic and full of risk, mergers and acquisitions, the result of mergers and acquisitions tend to differ materially from expected and operators. According to statistics, 50% -70% of the merger in 2-3 years and did not bring to the enterprise added value, cash flow, solvency and the main business decreased ability issues. Globalization, along with the prevalence of global mergers and acquisitions and financial markets as well as the high proportion of M \u0026 A failure, a company's financial hot spots in the field of financial risk early warning theory. Many enterprises will face significant financial risk and bankruptcy liquidation, so the accurate analysis of mergers and acquisitions of financial risks, not only is the objective requirements of the market competition system, is necessary to protect the survival and development of enterprises in the implementation of the M \u0026 A process. Therefore, the practical early warning indicators to establish a more complete M \u0026 A financial risk early warning system has some theoretical and practical significance. This paper summarized the theory of financial risk early warning on mergers and acquisitions, and to define the concept of mergers and acquisitions of financial risk, an overview of the financial risk with the M \u0026 A process theory to analyze the trend of mergers and acquisitions in early warning theory and financial risk control framework combined on the basis, and pricing, financing, payment and integration as a corporate mergers and acquisitions actual operating procedures clues, specific analysis of the sources of risk and impact factors in the different processes. To clear financial risk early warning of police justice, police sources looking for financial risk early warning, analysis of the warning signs of financial risk early warning, the basic idea of ??the police to detect and forecast financial early warning four subsystems mergers and acquisitions of financial risk early warning system, and finally targeted analysis of mergers and acquisitions of financial risk early warning system operating conditions. Existing M \u0026 A study of the financial risk early warning using factor analysis to deal with the financial data, the use of factor analysis extracted from the many variable factors unrelated to the number of variables of the selected factor less than the original indicator variables number of selected factor variables are re-group structure of the original variables, and the factor variable named explanatory, most of the information to reflect the original variable. Set the M \u0026 A business financial risk early warning model and using efficiency coefficient method to determine the the warning degree range, relatively simple and practical weighted average method will also reduce the false alarm missed alarm occurred, and to improve the efficiency of the the merger financial risk early warning system.

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CLC: > Economic > Economic planning and management > Enterprise economy > Corporate Financial Management
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